RBC Select Balanced Portfolio A (0P0000706A.TO) belongs to the Global Allocation category. Below you'll find alternative mutual funds from the same category, ranked by key criteria, plus funds that investors commonly compare with 0P0000706A.TO. Use the tables to find lower-cost options, better risk-adjusted returns, or a closer substitute for your current allocation.
Often Compared With 0P0000706A.TO
Investors most often compare 0P0000706A.TO with RBSIX, RBCIX, RCPIX. These 3 comparison targets span 3 categories, based on PortfoliosLab usage data.
| Symbol | Name | Category | Risk / Return Rank | YTD Return | AUM | Inception | |
|---|---|---|---|---|---|---|---|
| RBC BlueBay Strategic Income Fund | Nontraditional Bonds | 92 | 1.13% | — | Oct 2021 | 0P0000706A.TO vs RBSIX | |
| RBC China Equity Fund | China Equities | 43 | 3.16% | — | Apr 2022 | 0P0000706A.TO vs RBCIX | |
| RBC BlueBay Core Plus Bond Fund | Intermediate Core-Plus Bond | 32 | 0.09% | — | Oct 2021 | 0P0000706A.TO vs RCPIX |
Compare 0P0000706A.TO with Any Fund or Stock
Compare 0P0000706A.TO with any ETF, mutual fund, or stock using PortfoliosLab's comparison tool.
Pair 0P0000706A.TO with funds that move differently
RBC Select Balanced Portfolio A alternatives help with substitution. Diversifiers are the next step when you want funds with lower historical correlation to 0P0000706A.TO.
Explore 0P0000706A.TO Diversifiers